It was a rough year for the “most uncorrelated asset class”
Despite a positive 2021, Canadian DB pension plan returns were lower than in 2020
Clients with windfalls need to diversify and mitigate risk
Pension solvency and funding have increased over the past year
Mackenzie Investments' outlook report for 2022 highlights inflation and monetary policy issues
An outlook report from Hazelview Investments calls for another good year for real estate holdings
A look at the growing market share of ETFs
The funds proved their resilience during the global pandemic
While responsible investment assets and products have proliferated, knowledge gaps and other concerns affect investor interest
Economic growth for the next few years looks healthy, if bumpy